Data for the period
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Slovak Republic - Balance of Payments - January to June 2003
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Revision February 2007
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Receipts/Credit (+)
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Expenditures/Debit (-)
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Balance
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mil. SKK
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mil. USD
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mil. SKK
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mil. USD
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mil. SKK
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mil. USD
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GOODS
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375,318.00
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9,970.72
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385,113.00
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10,230.94
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-9,795.00
|
-260.21
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SERVICES
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56,950.20
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1,512.94
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54,620.90
|
1,451.06
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2,329.30
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61.88
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Transportation
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24,519.10
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651.38
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15,998.30
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425.01
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8,520.80
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226.36
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Travel
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14,936.20
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396.80
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10,701.10
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284.29
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4,235.10
|
112.51
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Other services total
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17,494.90
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464.77
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27,921.50
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741.76
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-10,426.60
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-276.99
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INCOME
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19,645.70
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521.91
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56,498.40
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1,500.94
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-36,852.70
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-979.03
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Compensation of employees
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8,459.80
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224.74
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262.90
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6.98
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8,196.90
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217.76
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Investment income
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11,185.90
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297.17
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56,235.50
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1,493.96
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-45,049.60
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-1,196.79
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CURRENT TRANSFERS
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9,604.70
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255.16
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4,385.00
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116.49
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5,219.70
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138.67
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CURRENT ACCOUNT
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461,518.60
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12,260.74
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500,617.30
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13,299.43
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-39,098.70
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-1,038.70
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CAPITAL ACCOUNT
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1,900.00
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50.48
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1,389.20
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36.91
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510.80
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13.57
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FINANCIAL ACCOUNT
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1,108,510.60
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29,487.42
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-1,062,836.70
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-28,295.14
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45,673.90
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1,192.28
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DIRECT INVESTMENT
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306,632.20
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8,146.01
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-269,224.20
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-7,152.23
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37,408.00
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993.78
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ABROAD
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15,008.40
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398.71
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-24,425.10
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-648.88
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-9,416.70
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-250.16
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Equity capital
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543.00
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14.43
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-188.60
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-5.01
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354.40
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9.42
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Reinvested earnings
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0.00
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0.00
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-637.60
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-16.94
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-637.60
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-16.94
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Other capital
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14,465.40
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384.29
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-23,598.90
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-626.93
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-9,133.50
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-242.64
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In SR
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291,623.80
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7,747.30
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-244,799.10
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-6,503.35
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46,824.70
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1,243.95
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Equity capital
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23,231.10
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617.16
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-2,393.40
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-63.58
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20,837.70
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553.58
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Reinvested earnings
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27,778.10
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737.95
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0.00
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0.00
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27,778.10
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737.95
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Other capital
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240,614.60
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6,392.18
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-242,405.70
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-6,439.77
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-1,791.10
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-47.58
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PORTFOLIO INVESTMENT
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181,991.40
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4,884.10
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-199,595.60
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-5,378.77
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-17,604.20
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-494.67
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Assets
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36,556.3
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971.2
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-50,805.5
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-1,349.7
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-14,249.20
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-378.55
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Liabilities
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145,435.1
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3,912.9
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-148,790.1
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-4,029.1
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-3,355.00
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-116.13
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FINANCIAL DERIVATES
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17,634.0
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468.5
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-18,253.8
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-484.9
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-619.8
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-16.5
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Assets
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16,043.1
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426.2
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-18,045.8
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-479.4
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-2,002.7
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-53.2
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Liabilities
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1,590.9
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42.3
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-208.0
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-5.5
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1,382.9
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36.7
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OTHER INVESTMENT
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602,253.00
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15,988.84
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-575,763.10
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-15,279.21
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26,489.90
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709.64
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Long-term
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64,372.00
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1,711.10
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-68,796.50
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-1,827.78
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-4,424.50
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-116.68
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Assets
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12,983.80
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344.93
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-4,311.20
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-114.53
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8,672.60
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230.40
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Liabilities
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51,388.20
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1,366.17
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-64,485.30
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-1,713.24
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-13,097.10
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-347.08
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Short-term
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537,881.00
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14,277.75
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-506,966.60
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-13,451.43
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30,914.40
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826.32
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Assets
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214,175.30
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5,689.80
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-221,297.80
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-5,879.01
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-7,122.50
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-189.22
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Liabilities
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323,705.70
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8,587.95
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-285,668.80
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-7,572.42
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38,036.90
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1,015.54
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CAPITAL AND FINANCIAL ACCOUNT
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1,110,410.60
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29,537.89
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-1,064,225.90
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-28,332.04
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46,184.70
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1,205.85
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ERRORS AND OMISSIONS
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13,639.70
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368.75
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OVERALL BALANCE
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-90,566.80
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-2,369.40
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111,292.50
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2,905.30
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20,725.70
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535.90
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MONETARY GOLD
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0.00
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0.00
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0.00
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0.00
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0.00
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0.00
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SPECIAL DRAWING RIGHTS
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-0.20
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0.00
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0.00
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0.00
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-0.20
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0.00
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FOREIGN EXCHANGE
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90,567.00
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2,369.40
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-111,292.50
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-2,905.30
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-20,725.50
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-535.90
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CURRENCY AND DEPOSIT
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0.00
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0.00
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-22,627.10
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-590.80
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-22,627.10
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-590.80
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SECURITIES
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90,567.00
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2,369.40
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-88,665.40
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-2,314.50
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1,901.60
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54.90
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Bonds and notes
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0.00
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0.00
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-88,665.40
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-2,314.50
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-88,665.40
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-2,314.50
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Money market instr. and financial derivates
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90,567.00
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2,369.40
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0.00
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0.00
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90,567.00
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2,369.40
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RESERVE ASSETS
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90,566.80
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2,369.40
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-111,292.50
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-2,905.30
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-20,725.70
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-535.90
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Used exchange rate of USD = 37.642 SKK
Selected indicators under SDDS' specification
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IMPORT OF GOODS AND SERVICES
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439,733.90
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EXPORT OF GOODS AND SERVICES
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432,268.20
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NET INCOME RECEIPTS
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-36,852.70
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NET RECEIPTS FROM CURRENT TRANSFERS
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5,219.70
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CAPITAL TRANSFERS
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510.80
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FINANCIAL ACCOUNT
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45,673.90
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RESERVE ASSETS
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-20,725.70
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DIRECT INVESTMENT
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37,408.00
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Direct investment abroad
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-9,416.70
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Direct investment in SR
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46,824.70
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PORTFOLIO INVESTMENT
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-17,604.20
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Portfolio investment assets
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-14,249.20
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Portfolio investment liabilities
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-3,355.00
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FINANCIAL DERIVATES
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-619.80
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Financial derivates assets
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-2,002.70
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Financial derivates liabilities
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1,382.90
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OTHER CAPITAL
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26,489.90
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Other capital assets
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1,550.10
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Other capital liabilities
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24,939.80
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